Intermediate Financial Accountant - Located in Opal, AB at Peaskie Minerals Inc
Edmonton, AB, Canada -
Full Time


Start Date

Immediate

Expiry Date

26 Nov, 25

Salary

80000.0

Posted On

26 Aug, 25

Experience

3 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Accountability, Organization Skills, Sharepoint, Excel, Life Insurance, Opal, Vision Care, Accounting Software, Dental Care

Industry

Accounting

Description

ABOUT US

Peaskie Minerals is a premier supplier of domestically sourced proppants and silica flour to the West Central Sedimentary Basin (WCSB). Our facility is located approximately 12 km north of Redwater or a 45-minute drive from north Edmonton. Travel Allowance will be offered dependent on your location.

SKILLS

  • 3-5 years’ experience in a similar role or full-cycle accounting
  • Two-year diploma in accounting or business
  • Proficiency using relevant accounting software and Microsoft Office suite, including Excel and SharePoint
  • Strong communication and client service skills
  • Superior organization skills and ability to work independently within agreed timelines
  • Demonstrates results-driven work ethic and accountability for assigned duties and tasks
  • Displays a positive and professional attitude and is a team player
  • Ability to work independently and efficiently with minimal direct supervision
    Job Type: Full-time
    Pay: $80,000.00-$95,000.00 per year

Benefits:

  • Dental care
  • Extended health care
  • Life insurance
  • Paid time off
  • Vision care

Application question(s):

  • Are you aware that this position is based out of Opal, AB?
  • Are you able to reliably commute to the jobsite in Opal, AB?

Licence/Certification:

  • Class 5 Licence (required)

Work Location: In perso

Responsibilities

PURPOSE

Reporting to the Controller, the Intermediate Financial Accountant is responsible for supporting the Finance Team with general accounting functions.

DUTIES AND RESPONSIBILITIES

  • Process financial transactions in Accounting Software
  • Prepare and maintain bank and general ledger account reconciliations
  • Create purchase orders
  • Performing general ledger and subledger reconciliations
  • Prepare and post journal entries
  • Assist with preparation of sales tax returns
  • Assist the Controller in preparation of monthly financial reports
  • Respond to client inquires by email and phone
  • Assist the Finance team with other projects and tasks as required
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